Debt · SEBI scheme category · Aug 2026
Ultra Short to Short Term funds
Published Apr 2019 – Aug 2026 AMFI labels: Low Duration Fund | Ultra Short to Short Term Fund
Published as Low Duration Fund until July 2026.
Flow and asset history
89 published months · ₹ crore
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Largest fund houses in this category
Average AUM · Apr–Jun 2026 · Ultra Short to Short Term
| Fund house | Average AUM | Share of category | Share of the AMC’s assets |
|---|---|---|---|
| ICICI Prudential Mutual Fund | 26,181 Cr | 20.0% | 2.2% |
| HDFC Mutual Fund | 20,960 Cr | 16.0% | 2.2% |
| Kotak Mahindra Mutual Fund | 14,531 Cr | 11.1% | 2.4% |
| SBI Mutual Fund | 13,477 Cr | 10.3% | 1.1% |
| Aditya Birla Sun Life Mutual Fund | 12,524 Cr | 9.6% | 2.9% |
| Nippon India Mutual Fund | 9,186 Cr | 7.0% | 1.2% |
| Bandhan Mutual Fund | 5,919 Cr | 4.5% | 2.9% |
| Axis Mutual Fund | 5,738 Cr | 4.4% | 1.5% |
| DSP Mutual Fund | 4,797 Cr | 3.7% | 2.1% |
| UTI Mutual Fund | 2,903 Cr | 2.2% | 0.7% |
| Tata Mutual Fund | 2,619 Cr | 2.0% | 1.1% |
| Mirae Asset Mutual Fund | 2,233 Cr | 1.7% | 1.0% |
| Invesco Mutual Fund | 1,738 Cr | 1.3% | 1.2% |
| LIC Mutual Fund | 1,651 Cr | 1.3% | 3.3% |
| Canara Robeco Mutual Fund | 1,129 Cr | 0.9% | 1.0% |
Quarterly average AUM grouped by AMFI’s current scheme category. The category family keeps split categories together, so the figures stay comparable. It is not a flow.
New fund offers
Recent launches in this category family
| Month | Schemes | Mobilised | Published category |
|---|---|---|---|
| Feb 2026Bajaj Finserv Low Duration Fund | 1 | 605 Cr | Low Duration Fund |
| Jan 2026JioBlackRock Low Duration Fund | 1 | 352 Cr | Low Duration Fund |
| Jul 2025 | 1 | 869 Cr | Low Duration Fund |
| Mar 2025 | 2 | 928 Cr | Low Duration Fund |
NFO money is part of that month’s gross mobilisation; it is shown here, never added to it.
Monthly figures 89 months · ₹ crore
| Month | Gross mobilisation | Redemptions | Net flow | AUM | AUM change | Other than flow | Folios | Schemes |
|---|---|---|---|---|---|---|---|---|
| Aug 2026Ultra Short to Short Term Fund | 13,084 | 15,552 | -2,469 | 113,696 | -1,971 | +498 | 8.39 L | 25 |
| Jul 2026Low Duration Fund | 14,279 | 13,291 | +988 | 115,667 | +1,496 | +508 | 8.43 L | 25 |
| Jun 2026Low Duration Fund | 8,729 | 25,213 | -16,484 | 114,171 | -15,022 | +1,462 | 8.46 L | 25 |
| May 2026Low Duration Fund | 8,097 | 17,497 | -9,400 | 129,193 | -9,205 | +196 | 8.52 L | 25 |
| Apr 2026Low Duration Fund | 21,871 | 14,778 | +7,093 | 138,398 | +7,828 | +735 | 8.53 L | 25 |
| Mar 2026Low Duration Fund | 12,598 | 37,825 | -25,227 | 130,570 | -24,898 | +329 | 8.50 L | 25 |
| Feb 2026Low Duration Fund | 18,391 | 16,062 | +2,329 | 155,468 | +3,292 | +964 | 8.51 L | 25 |
| Jan 2026Low Duration Fund | 22,872 | 18,093 | +4,779 | 152,176 | +5,113 | +333 | 8.48 L | 24 |
| Dec 2025Low Duration Fund | 16,807 | 27,053 | -10,246 | 147,064 | -9,641 | +605 | 8.51 L | 23 |
| Nov 2025Low Duration Fund | 20,416 | 15,436 | +4,981 | 156,705 | +5,800 | +819 | 8.52 L | 23 |
| Oct 2025Low Duration Fund | 21,153 | 13,636 | +7,517 | 150,905 | +8,394 | +878 | 8.51 L | 23 |
| Sep 2025Low Duration Fund | 26,196 | 27,449 | -1,253 | 142,510 | -423 | +830 | 8.52 L | 23 |
| Aug 2025Low Duration Fund | 17,277 | 16,801 | +477 | 142,934 | +948 | +471 | 8.57 L | 23 |
| Jul 2025Low Duration Fund | 27,695 | 17,929 | +9,766 | 141,986 | +10,571 | +805 | 8.54 L | 23 |
| Jun 2025Low Duration Fund | 21,118 | 17,982 | +3,136 | 131,415 | +3,862 | +726 | 8.50 L | 22 |
| May 2025Low Duration Fund | 13,953 | 10,819 | +3,134 | 127,553 | +4,110 | +977 | 8.46 L | 22 |
| Apr 2025Low Duration Fund | 22,423 | 13,053 | +9,371 | 123,442 | +10,514 | +1,143 | 8.39 L | 22 |
| Mar 2025Low Duration Fund | 21,976 | 23,360 | -1,384 | 112,928 | -466 | +918 | 8.34 L | 22 |
| Feb 2025Low Duration Fund | 8,902 | 11,726 | -2,825 | 113,395 | -2,187 | +637 | 8.18 L | 20 |
| Jan 2025Low Duration Fund | 12,650 | 11,985 | +665 | 115,582 | +1,322 | +657 | 8.18 L | 20 |
| Dec 2024Low Duration Fund | 18,741 | 23,052 | -4,311 | 114,260 | -3,635 | +676 | 8.21 L | 20 |
| Nov 2024Low Duration Fund | 21,306 | 16,932 | +4,374 | 117,895 | +4,970 | +596 | 8.32 L | 20 |
| Oct 2024Low Duration Fund | 15,551 | 9,951 | +5,600 | 112,925 | +6,353 | +753 | 8.33 L | 20 |
| Sep 2024Low Duration Fund | 21,145 | 20,466 | +679 | 106,572 | +1,337 | +658 | 8.36 L | 20 |
| Aug 2024Low Duration Fund | 10,727 | 11,118 | -390 | 105,235 | +209 | +599 | 8.39 L | 20 |
| Jul 2024Low Duration Fund | 14,567 | 12,664 | +1,902 | 105,026 | +2,659 | +757 | 8.44 L | 20 |
| Jun 2024Low Duration Fund | 18,070 | 15,871 | +2,199 | 102,366 | +2,771 | +572 | 8.48 L | 20 |
| May 2024Low Duration Fund | 10,906 | 10,445 | +461 | 99,595 | +1,053 | +592 | 8.63 L | 20 |
| Apr 2024Low Duration Fund | 16,682 | 8,924 | +7,758 | 98,543 | +8,331 | +573 | 8.77 L | 20 |
| Mar 2024Low Duration Fund | 13,081 | 19,238 | -6,157 | 90,212 | -5,484 | +673 | 8.78 L | 20 |
| Feb 2024Low Duration Fund | 8,858 | 12,959 | -4,100 | 95,696 | -3,506 | +594 | 8.83 L | 20 |
| Jan 2024Low Duration Fund | 11,428 | 9,311 | +2,116 | 99,202 | +2,698 | +582 | 8.92 L | 20 |
| Dec 2023Low Duration Fund | 11,817 | 21,249 | -9,432 | 96,504 | -8,823 | +609 | 8.98 L | 20 |
| Nov 2023Low Duration Fund | 6,711 | 7,679 | -968 | 105,327 | -404 | +563 | 9.03 L | 20 |
| Oct 2023Low Duration Fund | 11,112 | 12,254 | -1,142 | 105,731 | -623 | +519 | 9.12 L | 20 |
| Sep 2023Low Duration Fund | 13,450 | 14,413 | -963 | 106,354 | -468 | +495 | 9.17 L | 20 |
| Aug 2023Low Duration Fund | 11,649 | 12,157 | -508 | 106,822 | +101 | +609 | 9.29 L | 21 |
| Jul 2023Low Duration Fund | 13,189 | 6,162 | +7,027 | 106,720 | +7,701 | +674 | 9.34 L | 21 |
| Jun 2023Low Duration Fund | 10,673 | 7,315 | +3,358 | 99,019 | +3,890 | +532 | 9.31 L | 21 |
| May 2023Low Duration Fund | 11,398 | 9,651 | +1,747 | 95,129 | +2,364 | +617 | 9.34 L | 21 |
| Apr 2023Low Duration Fund | 11,249 | 5,786 | +5,463 | 92,765 | +6,073 | +609 | 9.36 L | 21 |
| Mar 2023Low Duration Fund | 9,534 | 15,714 | -6,180 | 86,693 | -5,522 | +658 | 9.40 L | 21 |
| Feb 2023Low Duration Fund | 6,006 | 7,910 | -1,904 | 92,215 | -1,430 | +473 | 9.55 L | 21 |
| Jan 2023Low Duration Fund | 5,625 | 6,401 | -776 | 93,645 | -348 | +427 | 9.64 L | 21 |
| Dec 2022Low Duration Fund | 6,920 | 7,324 | -403 | 93,993 | +66.22 | +470 | 9.74 L | 21 |
| Nov 2022Low Duration Fund | 6,488 | 6,572 | -83.74 | 93,927 | +465 | +549 | 9.75 L | 21 |
| Oct 2022Low Duration Fund | 8,231 | 10,892 | -2,660 | 93,462 | -2,211 | +449 | 9.80 L | 22 |
| Sep 2022Low Duration Fund | 7,332 | 14,992 | -7,660 | 95,673 | -7,258 | +401 | 9.87 L | 22 |
| Aug 2022Low Duration Fund | 11,408 | 8,444 | +2,964 | 102,932 | +3,627 | +663 | 9.96 L | 22 |
| Jul 2022Low Duration Fund | 10,247 | 10,892 | -646 | 99,305 | -124 | +522 | 10.04 L | 22 |
| Jun 2022Low Duration Fund | 4,688 | 13,220 | -8,532 | 99,429 | -8,334 | +198 | 10.14 L | 22 |
| May 2022Low Duration Fund | 8,130 | 14,846 | -6,716 | 107,763 | -6,764 | -47.40 | 10.27 L | 22 |
| Apr 2022Low Duration Fund | 16,269 | 14,777 | +1,492 | 114,527 | +1,782 | +290 | 10.45 L | 22 |
| Mar 2022Low Duration Fund | 11,027 | 19,974 | -8,946 | 112,745 | -8,472 | +474 | 10.55 L | 22 |
| Feb 2022Low Duration Fund | 7,963 | 12,944 | -4,982 | 121,217 | -4,739 | +243 | 10.73 L | 23 |
| Jan 2022Low Duration Fund | 19,691 | 21,655 | -1,963 | 125,956 | -1,528 | +435 | 10.91 L | 23 |
| Dec 2021Low Duration Fund | 12,170 | 23,217 | -11,047 | 127,484 | -10,872 | +175 | 11.08 L | 23 |
| Nov 2021Low Duration Fund | 15,026 | 21,700 | -6,674 | 138,356 | -6,248 | +426 | 11.25 L | 24 |
| Oct 2021Low Duration Fund | 22,696 | 18,493 | +4,203 | 144,605 | +4,501 | +298 | 11.43 L | 24 |
| Sep 2021Low Duration Fund | 20,049 | 36,659 | -16,609 | 140,103 | -16,003 | +606 | 11.51 L | 24 |
| Aug 2021Low Duration Fund | 16,306 | 23,713 | -7,408 | 156,107 | -6,597 | +810 | 11.48 L | 24 |
| Jul 2021Low Duration Fund | 23,462 | 15,301 | +8,161 | 162,704 | +8,903 | +742 | 11.61 L | 24 |
| Jun 2021Low Duration Fund | 30,408 | 24,135 | +6,273 | 153,801 | +6,754 | +481 | 11.67 L | 24 |
| May 2021Low Duration Fund | 20,941 | 13,118 | +7,823 | 147,046 | +8,376 | +553 | 11.73 L | 24 |
| Apr 2021Low Duration Fund | 31,210 | 21,888 | +9,322 | 138,671 | +8,903 | -419 | 11.75 L | 24 |
| Mar 2021Low Duration Fund | 24,565 | 40,413 | -15,847 | 129,767 | -15,595 | +252 | 12.26 L | 25 |
| Feb 2021Low Duration Fund | 20,857 | 18,013 | +2,844 | 145,362 | +3,044 | +200 | 12.40 L | 25 |
| Jan 2021Low Duration Fund | 24,024 | 32,064 | -8,041 | 142,318 | -7,806 | +235 | 12.35 L | 26 |
| Dec 2020Low Duration Fund | 25,103 | 26,570 | -1,468 | 150,124 | -821 | +647 | 11.91 L | 26 |
| Nov 2020Low Duration Fund | 41,975 | 14,867 | +27,108 | 150,945 | +27,910 | +802 | 11.35 L | 26 |
| Oct 2020Low Duration Fund | 31,764 | 21,909 | +9,856 | 123,036 | +10,645 | +789 | 10.84 L | 26 |
| Sep 2020Low Duration Fund | 24,404 | 22,587 | +1,818 | 112,391 | +2,375 | +557 | 10.51 L | 26 |
| Aug 2020Low Duration Fund | 20,008 | 14,640 | +5,368 | 110,016 | +5,766 | +397 | 10.24 L | 26 |
| Jul 2020Low Duration Fund | 29,854 | 15,635 | +14,219 | 104,250 | +15,224 | +1,004 | 9.94 L | 26 |
| Jun 2020Low Duration Fund | 23,529 | 11,294 | +12,236 | 89,026 | +13,119 | +883 | 9.52 L | 26 |
| May 2020Low Duration Fund | 9,005 | 8,704 | +301 | 75,907 | +1,388 | +1,087 | 9.33 L | 26 |
| Apr 2020Low Duration Fund | 8,576 | 15,418 | -6,841 | 74,519 | -6,852 | -11.21 | 9.35 L | 26 |
| Mar 2020Low Duration Fund | 10,004 | 29,925 | -19,921 | 81,371 | -19,616 | +305 | 9.64 L | 26 |
| Feb 2020Low Duration Fund | 17,037 | 13,885 | +3,152 | 100,987 | +3,460 | +308 | 9.91 L | 26 |
| Jan 2020Low Duration Fund | 16,045 | 10,482 | +5,562 | 97,527 | +5,829 | +267 | 11.17 L | 26 |
| Dec 2019Low Duration Fund | 10,027 | 11,624 | -1,597 | 91,698 | -1,386 | +210 | 9.79 L | 26 |
| Nov 2019Low Duration Fund | 11,296 | 6,658 | +4,638 | 93,084 | +5,166 | +527 | 9.70 L | 26 |
| Oct 2019Low Duration Fund | 10,179 | 7,104 | +3,074 | 87,918 | +3,715 | +641 | 9.36 L | 26 |
| Sep 2019Low Duration Fund | 7,361 | 9,493 | -2,131 | 84,203 | -1,720 | +411 | 9.25 L | 26 |
| Aug 2019Low Duration Fund | 7,516 | 6,722 | +794 | 85,923 | +1,354 | +560 | 9.15 L | 26 |
| Jul 2019Low Duration Fund | 7,974 | 8,197 | -223 | 84,569 | +577 | +800 | 9.12 L | 26 |
| Jun 2019Low Duration Fund | 6,012 | 10,701 | -4,689 | 83,992 | -5,286 | -597 | 9.20 L | 26 |
| May 2019Low Duration Fund | 10,573 | 12,926 | -2,353 | 89,279 | -543 | +1,810 | 9.25 L | 26 |
| Apr 2019Low Duration Fund | 13,429 | 8,516 | +4,913 | 89,822 | — | — | 9.22 L | 26 |
“AUM change” is assets, not flow. “Other than flow” is the part of it net flow does not account for: market movement, distributions and scheme changes.